The risk and compliance department of one of Ireland’s leading commercial law firms seeks to appoint a talented lawyer with 3-5 years’ PQE. The team provides a cradle to grave regulatory risk management and compliance service to financial institutions, brokers, underwriters, private equity houses, e-money institutions, asset managers and insurers regulated by the Central Bank of Ireland.
The appointee will deal with a wide range of issues including the authorisation of new entities/expansion of the regulatory authorisations of existing entities, the review of existing processes and procedures, the regulatory compliance elements of M&A within the regulated institutions sector as well as providing ongoing advice in relation to the impact and implementation of new regulations. In addition, the team provides advice to Clients in disputes with the Central Bank of Ireland and the Financial Services Ombudsman.
Suitable candidates will have gained between 3 and 5 years relevant experience working with a top tier firm in Dublin or London, or with the financial regulator in Ireland or the UK. In addition, candidates will be ambitious, team oriented and client focussed.
This outstanding opportunity will be remunerated appropriately and in line with the importance of the role.
For an exploratory conversation on this or other non-advertised positions, please contact:
Principal Consultant, Legal & Compliance Selection
HRM RECRUIT on +353 1 6321852 |
All conversations and applications will be treated in strict confidence.
Further details on this, and other career opportunities for legal professionals, are listed in the Legal Jobs Ireland LinkedIn group.